Investment-Calc PRO 2002 for cash flow analysis provides 18 ready
to use Excel worksheets for quick calculation of after tax discounted cash flow,
net present values, internal rate of return (IRR), and return on investment (ROI.
Provides monthly and yearly cash flow discount factors using prepared tables and
easy to use financial models. Includes project and company valuation using DCF,
economic value added calculations, profit/loss, EBIT and free cash flows.
You will be able to download the product immediately after orderign!